TSX Symbol: RIB.UN
TORONTO, Dec. 14, 2012 /CNW/ - Ridgewood Canadian Investment Grade Bond
Fund is pleased to announce that a cash distribution of $0.0525 per
unit has been declared. The monthly distribution equates to an
annualized distribution rate of 5.25% on an initial subscription price
of $12.00 per unit. The distribution is payable on January 15, 2013 to
Unitholders of record at the close of business on December 31, 2012.
The distribution payment date previously announced for the Fund's
November monthly distribution that was declared on November 15, 2012
has been amended to December 14, 2012.
SOURCE: Ridgewood Canadian Investment Grade Bond Fund
For further information:
please call John H. Simpson, CFA, Managing Director, Ridgewood Capital Asset Management Inc. at (416) 479-2751.